- Comerica (Houston, TX)
- …Prepare loan approval packages, in partnership with Relationship Managers and Portfolio Managers, for credit decisioning. Provide complete analysis of ... appropriate loan structures and banking solutions to meet customer needs. Monitor credit exposure for portfolio relationships. Phase II: Sales Rotations Sales… more
- Banco Popular Puerto Rico (Miami Lakes, FL)
- …solutions to clients and expand client relationships and cross-selling + Proactively monitor portfolio for ongoing credit quality credit renewal, and ... adherence to policy. Ensure accurate and timely risk identification + Work with credit to...and/or seven years or more of experience in commercial credit with an established portfolio of Commercial… more
- MUFG (Los Angeles, CA)
- …comprehensive banking services and cross-sell MUFG products, while effectively managing credit risk in collaboration with colleagues in Japanese Corporate ... Line of Defense" taking part in client diligence along the Portfolio Management Team & Credit Department in both deal origination and ongoing maintenance +… more
- Bank OZK (Dallas, TX)
- …components of the Program such as peer and/or panel bank analyses, portfolio credit loss modeling, allowance modeling, econometric modeling, interest rate ... the development and ongoing management of a stress testing risk identification program focused on market, credit ,...+ Supports the development of new programs, including CECL, Credit Scorecards, and Portfolio Analytics. Knowledge, Skills… more
- AIG (Chicago, IL)
- …+ Developing strong relationships with brokers and clients to grow the Underwriter's portfolio of trade credit business + Underwriting large/complex, new and ... are reimagining the way we help customers to manage risk . Join us to play your part in that...terms + Professionally maintaining and properly servicing an existing portfolio of trade credit insurance business +… more
- Citigroup (Tampa, FL)
- …2nd LOD Lead Analyst for its Tampa, Florida location. Duties: Validate credit risk models using statistical/mathematical tools and economic/finance theories. ... Assess and evaluate impact of macroeconomic scenarios on bank's credit portfolio . Design and execute quantitative and...under different specifications and scenarios, and testing sensitivity of credit risk models to macroeconomic risk… more
- Blue Foundry Bank (Parsippany-Troy Hills, NJ)
- …for each noted internal control. + Report on the ILR findings to the Bank's Credit Risk Sub-Committee monthly and the Enterprise Risk Committee quarterly. + ... and/or directly conducting reviews of the Bank's commercial loan portfolio to ensure compliance with ILR Policy penetration guidelines....report risk rating migrations to the Bank's Credit Risk Sub-Committee monthly and the Enterprise… more
- Scotiabank (New York, NY)
- …the world. Global Banking & Markets provides a full range of investment banking, credit and risk management products and services relevant to the financing and ... The Associate Director will also be responsible for handling certain credit related activities, including due diligence, negotiating documentation and monitoring… more
- Dairyland Power Cooperative (La Crosse, WI)
- …such as Mark-to-Market (MtM), Margin-at- Risk (MaR), Value-at- Risk (VaR), and credit exposure. * Monitor daily power supply portfolio costs and net ... of middle office functions that connect the front office (trading and portfolio management) and the back office (settlements and accounting). This role plays… more
- Santander US (Boston, MA)
- …and implements solutions to existing programs in accordance with risk management objectives and corporate budgets. **Ideal Candidate Qualifications:** + ... * Manages accounts of low complexity, in accordance with risk management objectives and corporate budgets. * Facilitates the...* Facilitates the resolution of problem loans through improved credit quality or repayment, in a cost effective manner.… more